Connecting linkedin

W1siziisimnvbxbpbgvkx3rozw1lx2fzc2v0cy9oyw1sew4td2lsbglhbxmvanbnl2jhbm5lci1kzwzhdwx0lwpvyi5qcgcixv0

Job

Credit research analyst

  • Location

    Unknown

  • Sector:

    Financial Services and Banking

  • Job type:

    Permanent

  • Salary:

    800000

  • Contact:

    Aiko Zhang

  • Contact email:

    aiko.zhang@hamlynwilliams.com

  • Salary high:

    0

  • Salary low:

    0

  • Published:

    18 days ago

  • Expiry date:

    2021-12-16

  • Startdate:

    ASAP

Summary

Our Client is a reputable Chinese Insurance Backed asset management company in Hong Kong. Since they are expanding their investment team especially in fixed income area. They are now looking for experienced credit research analyst candidate who are strong in Macro research in economics, rates and currency. Fluent Mandarin speaker with no less than three years of working experiences in credit research from similar Chinese financial institutions are strongly welcome.

Job description

  • Assist in the research of overseas macroeconomics, interest rate and exchange rate markets, track market dynamics on a daily basis, maintain investment-related data on a regular basis;
  • Assist in researching major market events and investment topics and preparing specific reports;
  • Assist in the research of investment strategies in overseas fixed income markets such as European , American and Hong Kong market ;
  • Assist in overseas fixed income market research and credit market research;
  • Assist in the development of financial derivatives research;
  • Assist in the analysis of investment value of specific products, including but not limited to: research on corporate bonds, preferred stocks and other investable products;
  • Assist in the credit research of the investable varieties of the bond pool, including the management of access to and exit from the pool and tracking maintenance;
  • Assist in the promotion of product research and issuance of overseas investment in the fixed income market;
  • Assist in maintaining investor-customer relations, and prepare internal conference materials and external roadshow materials related to investment products;
  • In accordance with the company's relevant risk management system, control and manage investment risks and operational risks related to fixed income businesses;
  • Responsible for maintaining the relationship between fixed income counterparties and the relationship between overseas investment banks and inter-bank investment management institutions;
  • Responsible for other tasks assigned by superiors.

Job requirements:

  • Bachelor degree or above in economics, finance and other related majors;
  • Satisfy the qualifications of SFC type 4 & type 9 representatives";
  • At least 3 years of relevant work experience in bond research;
  • Have strong macro analysis capabilities and data processing capabilities;
  • Possess the ability to research and judge the financial market;
  • Solid basic knowledge of economy and finance, knowledge of fixed-income products, proficiency in data analysis tools such as EXCEL, proficient use of Bloomberg system, CFA is preferred;
  • Able to work under pressure

LI#AZ1